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But the study of risk remains a relatively new discipline in finance and continues to be refined. The financial market crisis that began in 2007 has highlighted the challenges of managing financial risk.
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Item | 355537185645 |
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Seller |
greatbookprices1 ( 314157 ⭐ ) 96.5% Location: Jessup, US, Maryland Accept Payments With , |
Shipping | See shipping cost, Ships to Worldwide, ... |
Guarantee | eBay Money Back Guarantee |
Condition | Brand New |
ISBN | 9780470481806 |
Book Title | Financial Risk Management : Models, History, and Institutions |
Book Series | Wiley Finance Ser. |
Publisher | Wiley & Sons, Incorporated, John |
Item Length | 9.3 in |
Publication Year | 2011 |
Format | Hardcover |
Language | English |
Illustrator | Yes |
Item Height | 1.8 in |
Author | Allan M. Malz |
Genre | Business & Economics |
Topic | Finance / Financial Risk Management, Finance / General |
Item Weight | 39.4 Oz |
Item Width | 6.4 in |
Number of Pages | 752 Pages |
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